I will create a professional budget and cash flow forecast to help you understand and plan your business finances.
This service is designed for small businesses, startups, and business owners who want better visibility into their future income, expenses, profitability, and cash position.
Depending on your needs, I can provide:
• Monthly budget preparation
• 12-month cash flow forecast
• Revenue and expense projections
• Budget vs. actual analysis
• Profitability projections
• Financial planning and forecasting
• Customized Excel or Google Sheets reports
You will receive a clean, practical, and easy-to-understand financial model designed to help you monitor performance, anticipate cash needs, and make better financial decisions.
The starting price covers a basic 12-month budget and cash flow forecast for one small business, based on the financial data provided by the client.
Multiple scenarios, complex financial models, extensive data cleanup, or additional customized reports require a custom quote.
Please contact me before ordering if you have complex requirements or need a customized financial model.